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Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques b
US $75.18
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Located in: Calgary, Alberta, Canada
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eBay item number:364813489489
Item specifics
- Condition
- ISBN-13
- 9781264258277
- Type
- NA
- Publication Name
- NA
- ISBN
- 9781264258277
- Publication Year
- 2022
- Format
- Hardcover
- Language
- English
- Book Title
- Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques
- Illustrator
- Yes
- Publisher
- Mcgraw-Hill Education
- Genre
- Business & Economics
- Topic
- Investments & Securities / Bonds, Finance / General
- Edition
- 5
- Item Weight
- 31.4 Oz
- Number of Pages
- 624 Pages
About this product
Product Identifiers
Publisher
Mcgraw-Hill Education
ISBN-10
1264258275
ISBN-13
9781264258277
eBay Product ID (ePID)
12057241598
Product Key Features
Edition
5
Book Title
Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques
Number of Pages
624 Pages
Language
English
Topic
Investments & Securities / Bonds, Finance / General
Publication Year
2022
Illustrator
Yes
Genre
Business & Economics
Format
Hardcover
Dimensions
Item Weight
31.4 Oz
Additional Product Features
Intended Audience
Trade
LCCN
2021-059327
Dewey Edition
22
Dewey Decimal
332.63/2/0151
Synopsis
The brand-new edition of this classic guide for high-level investors covers the latest tools and techniques for dealing with all aspects of fixed-income portfolio management Fixed Income Mathematics is known around the world as the leading guide to understanding the concepts and evaluative methodologies for bonds, mortgage-backed securities, asset-backed securities, and other fixed income instruments--and the fifth edition gets you up to date on the newest analytical frameworks. Fixed Income Mathematics begins with basic concepts of the mathematics of finance, then systematically builds on them to reveal state-of-the-art methodologies for evaluating them and managing fixed-income portfolios. Concepts are illustrated with numerical examples and graphs, and you need only a basic knowledge of elementary algebra to understand them. This new edition includes three entirely new chapters--Risk-Adjusted Returns, Empirical Duration, Analysis of Floating-Rate Securities, Holdings-Based Return Attribution Analysis, Returns-Based Style Attribution Analysis, Measuring Bond Liquidity, Descriptive Measures, and Machine Learning--and provides substantially revised chapters on: -Interest rate modeling -Probability theory -Optimization models and applications to bond portfolio management -Historical return measures -Measuring historical return volatility The concepts and methodologies for evaluating fixed income securities have changed dramatically over the past 15 years. This edition explains the numbers behind these changes and provides the knowledge you need to consistently control both the cost and risk of investing in debt., The brand-new edition of this classic guide for high-level investors covers the latest tools and techniques for dealing with all aspects of fixed-income portfolio management Fixed Income Mathematics is known around the world as the leading guide to understanding the concepts and evaluative methodologies for bonds, mortgage-backed securities, asset-backed securities, and other fixed income instruments--and the fifth edition gets you up to date on the newest analytical frameworks. Fixed Income Mathematics begins with basic concepts of the mathematics of finance, then systematically builds on them to reveal state-of-the-art methodologies for evaluating them and managing fixed-income portfolios. Concepts are illustrated with numerical examples and graphs, and you need only a basic knowledge of elementary algebra to understand them. This new edition includes numerous entirely new chapters--Risk-Adjusted Returns, Empirical Duration, Analysis of Floating-Rate Securities, Holdings-Based Return Attribution Analysis, Returns-Based Style Attribution Analysis, Measuring Bond Liquidity, Descriptive Measures, and Machine Learning--and provides substantially revised chapters on: Interest rate modeling Probability theory Optimization models and applications to bond portfolio management Historical return measures Measuring historical return volatility The concepts and methodologies for evaluating fixed income securities have changed dramatically over the past 15 years. This edition explains the numbers behind these changes and provides the knowledge you need to consistently control both the cost and risk of investing in debt.
LC Classification Number
HG4650.F33 2022
ebay_catalog_id
4
Copyright Date
2023
Item description from the seller
Seller assumes all responsibility for this listing.
eBay item number:364813489489
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Calgary, Alberta, Canada
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